We refer to the Notes and the Prospectus in respect of the Notes dated 23 June 2006. On behalf of the Issuer, in our capacity as Agent, we hereby notify you that we have received a notice from the Calculation Agent in respect of the Notes informing us that a Bond Call Date shall occur on 1 November 2012 when certain securities forming the Collateral of the Notes (the “Called Bonds”) will be redeemed at the option of each relevant issuer in accordance with the terms and conditions thereof.
The notice set out in Annex 1 hereto has been delivered to each of the Noteholders.